The role creation is subject to the Works Council positive advice and implementation of the new structure resulted as a consequence of Risk RfA on 1 April 2026.
The team
Team Focus: Leads the Financial Risk Frameworks and Control team overseeing policies controls capital analysis and change initiatives to ensure alignment with INGs financial risk strategy.
Specific Function
Contribution: Provides consolidated financial risk oversight and reporting leads FR (regulatory) programs and manages change initiatives. Ensures global alignment of risk management practices and represents the Head of Financial Risk in major regulatory programs.
Needs/Challenges: Aligns risk management with evolving regulatory expectations (ECB EBA BCBS) manages complex change initiatives and enhances INGs financial risk framework.
Impact: Directly influences INGs risk management strategy regulatory compliance and organizational change.
Roles and responsibilities
Main Responsibilities:
Lead the Financial Risk Frameworks and Control team.
Oversee global financial risk policies and regulations.
Manage change programs and committee responsibilities (e.g. CARC).
Own market risk capital and model coordinate stress test activities.
Oversee NFR and data management.
This role is central to INGs ability to maintain robust financial risk frameworks comply with regulatory requirements and drive strategic change.
Specific Tasks and Responsibilities
Complete annual risk assessments and RAS reviews.
Ensure timely updates and compliance with global policies.
Execute and monitor deliverables/milestones in FR-sponsored change programs.
Coordinate and document CARC meetings.
Calculate capital and conduct stress tests within regulatory timelines.
Complete QBR SoX ERM and Key Control Testing.
Define and implement FR data strategy and controls.
How to succeed
We hire smart people like you for your potential. Our biggest expectation is that youll stay curious. Keep learning. Take on return well back you to develop into an even more awesome version of yourself.
Education: Academic degree in Economics Econometrics or Quantitative Finance; CFA FRM or PRMIA preferred.
Experience: 15 years in financial risk ALM Finance or Treasury; experience in Financial Markets and regulatory environments.
Technical/Professional Knowledge: Deep understanding of financial risk frameworks capital analysis regulatory programs and data management.
Soft Skills: Analytical thinking strategic mindset stakeholder management leadership communication.
Reporting Line and Classification
Role Name and GJA: Head of Financial Risk Management II (GJA22) - Head of FR Framework and Controls
Reports Hierarchically to Head of Financial Risk (MBB-1) located in Amsterdam
Questions
In case you have any questions please contact Anna Halliwell (HR Business Partner). Want to apply directly Please upload your CV and motivation letter by clicking the Apply button.
An Enhanced Reliability Screening and positive clearance is required for appointment to this sensitive position.
Required Experience:
Director
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